| Value | Metric |
|---|
| 7.311209411110734x | Cumulative ROI (x) |
| -17.960326048139265 % | Max Drawdown |
| 462 | Max Drawdown Duration (#bars) |
| 0.9584752064498454x | HODL ROI benchmark (x) |
| na% | ROI with 1% risk |
| 0.5334773218142542x | Average ROI |
| 3.9999999999999973% | Average profit (%) |
| -0.9999999999999997% | Average Loss (%) |
| 0.5714285714285595 | Average buy ROI |
| 0.5019762845849888 | Average sell ROI |
| 30.669546436285096% | Hit Rate (%) |
| 0.4347511053184421 | CAGR% |
| 0.030560266171699713 | Monthly ROI% |
| na | Sharpe |
| 3.9999999999999987 | Realised RRR |
| 2.2605633802816905 | Required RRR |
| 30.669546436285096 | Realised Hit Rate (%) |
| 20.000000000000007 | Required Hit Rate (%) |
| 463 | # Trades |
| 142 | Wins |
| 321 | Losses |
| 4.00000000000009 | Best Trade ROI (%) |
| -1.0000000000000844 | Worst Trade ROI (%) |
| 1.7694704049844225 | Profit Factor |
| 2.3056092280680716 | Volatility of Returns (%) |
| 0.8311193967026866 | Max. leverage used |
| 0.27707206588479366 | Avg. leverage used |
| na | Average Trade Duration |
| na | Monthly average returns |
| na | Quarterly average returns |
| 605252.4692081944 | Max. volume used |
| 13187.77135530852 | Min. volume used |
| -18.7901706591703 | Worst investment's ROI |
| 60.413327589769786 | Best investment's ROI |
| 463 | ______ |
| 463 | ______ |
| 463 | ______ |
| 463 | ______ |
| 463 | ______ |
| 463 | ______ |
| 463 | ______ |
| ____ | Longest Drawdown |
| ____ | Risk of Ruin |
| ____ | Daily value-at-risk |
| ____ | Profit factor |